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Accounting Entries in SAP

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No Transaction T Code
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Info
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Account Accounting Entry Remarks
Procure to Pay Cycle
1 Goods Receipt without QA Check MIGO Mvt 101 202000 Dr. Inventory A/c Upto 202029
106608 Cr. GR/IR Clearing A/c
106604 Cr. Freight Clearing A/c If any. Same like to other Provision A/c
106606 Cr. Customs Duty Clearing A/c If any
2 Goods Receipt with QA Check MIGO Mvt 103 No Accounting Entry
3 Release GR Blocked Stock MIGO Mvt 105 202000 Dr. Inventory A/c Upto 202029
106608 Cr. GR/IR Clearing A/c
106604 Cr. Freight Clearing A/c If any. Same like to other Provision A/c
106606 Cr. Customs Duty Clearing A/c If any
402200 Dr/Cr Price Difference A/c If there is any change in price, between GR & IR
4 Excise Invoice Posting J1IEX 208001 Dr. CENVAT Input BED A/c Upto 208011
208061 Dr. CENVAT Input ECS A/c Upto 208071
208081 Dr. CENVAT Input SHE A/c Upto 208091
208460 Cr. CENVAT Input Clearing A/c
5 Service Entry Sheet ML81N Dr. Expense A/c
106608 Cr. GR/IR Clearing A/c
6 Invoice Verification - LIV MIRO / MIR7 106608 Dr. GR/IR Clearing A/c
208460 Dr. Cenvat Input Clearing A/c
205305 Dr. VAT Receivable A/c
106000 Cr. Vendor A/c (Accounts Payable) Upto 106008
7 Invoice Verification OF Custom duty /freight etc MIRO / MIR7 106606 Dr. Custom Duty Clearing A/c
106604 Dr. Frieght Clearing A/C
106000 Cr. Vendor A/c (Accounts Payable) Upto 106008
8 Payment to Vendor F-53 / F-58 106000 Dr. Vendor A/c (Accounts Payable) Upto 106008
103502 Cr. Bank Account A/c
9 Payment to Foreign Vendor F-53 / F-58 106000 Dr. Vendor A/c (Accounts Payable) Upto 106008
103502 Cr. Bank Account A/c
407901 Dr/Cr Exchange Fluctuation A/c
Production Related Transactions
10 Goods Issued to Production MIRO Mvt 261 401000 Dr. Material Consumption A/c Upto 401006
202000 Cr. Inventory A/c Upto 202029
11 Goods Receipt to Warehouse from Process Order MIGO Mvt 101 202000 Dr. Inventory A/c Upto 202029
402000 Cr. Change in Inventory A/c
12 Variance Calculation on Prodction Order Settlement KO88 402200 Dr/Cr Price Difference A/c This is month end process
402000 Cr/Dr Change in Inventory A/c
13 WIP Calculation KKAX 202036 Dr. WIP Account This is month end process
402001 Cr. Change in WIP A/c
Order to Cash Cycle
14 Goods Delivery to Customer - PGI VL01N 402300 Dr. Cost of Goods Sold A/c
(Outbound Delivery) 202000 Cr. Inventory A/c Upto 202029
15 Raising of Sales Invoices VF01 203000 Dr. Customer A/c ( Accounts Receivable) Upto 203004
301000 Cr. Sales A/c Upto 301004
208440 Cr. CENVAT Output Clearing A/c
106100 Cr. VAT Payable A/c
106613 Cr. Pro Fright O/w Claim A/c If any. Collecting from Customer
106615 Cr. Pro Export Exp A/c
406005 Dr. Freight Outward-XP A/c
106615 Cr. Pro Export Exp A/c
406003 Dr. Commissn On XP Sales A/c
16 Raising of Excise Invoices J1IIN 208440 Dr. CENVAT Output Clearing A/c
106201 Cr. Excise BED Payable A/c Upto 106211
106221 Cr. Excise ECS Payable A/c Upto 106231
106241 Cr. Excise SHE Payable A/c Upto 106251
17 Accounting Entry in case of Sale of Scrap VF01 203000 Dr. Customer A/c ( Accounts Receivable) Upto 203004
302027 Cr. Income From Scrap Sale A/c
208440 Cr. CENVAT Output Clearing A/c
106100 Cr. VAT Payable A/c
106126 Cr. TCS - Scrap Sales
18 Raising of Excise Invoices for Scrap J1IIN 208440 Dr. CENVAT Output Clearing A/c
106201 Cr. Excise BED Payable A/c Upto 106211
106221 Cr. Excise ECS Payable A/c Upto 106231
106241 Cr. Excise SHE Payable A/c Upto 106251
19 Receipt of Amount from Customer F-28 103501 Dr. Bank Account A/c
203000 Cr. Customer A/c ( Accounts Receivable) Upto 203004
20 Receipt of Amount from Foreign Customer F-28 103501 Dr. Bank Account A/c
203001 Cr. Customer A/c ( Accounts Receivable)
407901 Dr/Cr Exchange Fluctuation A/c
If any. Not Collecting from Customer.
Freight Outward - XP A/c is Expense A/c
If any. Not Collecting from Customer.
Commissn On XP Sales A/c is Expense A/c
Sub Contracting
21 When Goods Issued to Sub Contractor No Accounting entry
22 Goods receipt from Sub Contractor 401000 Dr Material Consumption A/c Upto 401006
202000 Cr Inventory A/c Upto 202029
403019 Dr Sub Contracting Charges A/c
106608 Cr GR/IR Clearing A/c
202021 Dr Inventory Semi Finished / Finished Goods A/c Upto 202029
402000 Cr Change in Inventory A/c
23 Invoice Verification Job Work MIRO 106608 Dr. GR/IR Clearing A/c
208501 Dr. Service Tax Unpaid A/c Upto 208551
106000 Cr. Vendor A/c (Accounts Payable) Upto 106008
24 Payment to Vendor F-53 / F-58 106000 Dr. Vendor A/c (Accounts Payable) Upto 106008
103502 Cr. Bank Account A/c
Service Tax Entries
25 FI Invoice Booking with Service Tax FB60 Dr. Expense A/c
208501 Dr. Service Tax Unpaid A/c Upto 208511
208521 Dr. Service Tax ECS Unpaid A/c Upto 208531
208541 Dr. Service Tax SHE Unpaid A/c Upto 208551
106000 Cr. Vendor A/c (Accounts Payable) Upto 106008
26 Transfer of Service Tax Unpaid to Service Tax Paid S_AC0_52000644 208501 Dr. Service Tax Paid A/c Upto 208511
208521 Dr. Service Tax ECS Paid A/c Upto 208531
208541 Dr. Service Tax SHE Paid A/c Upto 208551
208601 Cr. Service Tax Unpaid A/c Upto 208651
208521 Cr. Service Tax ECS Unpaid A/c Upto 208531
208541 Cr. Service Tax SHE Unpaid A/c Upto 208551
27 Service Tax Utilization J2IUN 106201 Dr. Excise BED Payable A/c Upto 106211
106221 Dr. Excise ECS Payable A/c Upto 106231
106241 Dr. Excise SHE Payable A/c Upto 106251
208001 Cr. CENVAT Input BED-RG23A A/c Upto 208011
208061 Cr. CENVAT Input ECS-RG23A A/c Upto 208071
208081 Cr. CENVAT Input SHE-RG23A A/c Upto 208091
208601 Cr. Service Tax Paid A/c Upto 208611
208621 Cr. Service Tax ECS Paid A/c Upto 208631
208641 Cr. Service Tax SHE Paid A/c Upto 208651
208301 Cr. PLA BED A/c Upto 208311
208361 Cr. PLA ECS A/c Upto 208371
208381 Cr. PLA SHE A/c Upto 208391
GTA Entries
28 GTA Invoice Bookin - Credit Available FB60 208700 Dr. GTA ST Receivable
208710 Dr. GTA ST ECS Receivable
(GTA Service Tax on Inward ) 208720 Dr. GTA ST SHE Recble
106300 Cr. GTA STax Payable
106310 Cr. GTA EC STax Payable
106320 Cr. GTA SHEC STax Payble
29 GTA Invoice Bookin - Refundable FB60 208730 Dr. GTA Refundable
208730 Dr. GTA Refundable
(GTA Service Tax on Export ) 208730 Dr. GTA Refundable
106300 Cr. GTA STax Payable
106310 Cr. GTA EC STax Payable
106320 Cr. GTA SHEC STax Payble
30 GTA Invoice Bookin - No Refund & No Credit FB60 405013 Dr. Service Tax
405013 Dr. Service Tax
(GTA Service Tax on Outward ) 405013 Dr. Service Tax
106300 Cr. GTA STax Payable
106310 Cr. GTA EC STax Payable
106320 Cr. GTA SHEC STax Payble
CIN / Exsice Entries
31 Inward Excise Invoice Posting - Goods Receipt J1IEX 208001 Dr. CENVAT Input BED A/c Upto 208011
208061 Dr. CENVAT Input ECS A/c Upto 208071
208081 Dr. CENVAT Input SHE A/c Upto 208091
208460 Cr. CENVAT Input Clearing A/c
32 Invoice Verification MIRO 106608 Dr. GR/IR Clearing A/c
208460 Dr. Cenvat Input Clearing A/c
205305 Dr. VAT Receivable A/c
106000 Cr. Vendor A/c (Accounts Payable) Upto 106008
33 Raising of Sales Invoices VF01 203000 Dr. Customer A/c ( Accounts Receivable) Upto 203004
301000 Cr. Sales A/c Upto 301004
208440 Cr. CENVAT Output Clearing A/c
106100 Cr. VAT Payable A/c
34 Payment of Exise duty in PLA F-53 208401 Dr. PLA Hold A/c Upto 208411
103502 Dr. Bank A/c
35 Updation of TR6 J1IH 208301 Dr. PLA BED A/c Upto 208311
208321 Dr. PLA ECS A/c Upto 208331
208341 Dr. PLA SHE A/c Upto 208351
208401 Cr. PLA Hold A/c Upto 208411
36 Monthly Utilization J2IUN 106201 Dr. Excise BED Payable A/c Upto 106211
106221 Dr. Excise ECS Payable A/c Upto 106231
106241 Dr. Excise SHE Payable A/c Upto 106251
208001 Cr. CENVAT Input BED-RG23A A/c Upto 208011
208061 Cr. CENVAT Input ECS-RG23A A/c Upto 208071
208081 Cr. CENVAT Input SHE-RG23A A/c Upto 208091
208601 Cr. Service Tax Paid A/c Upto 208611
208621 Cr. Service Tax ECS Paid A/c Upto 208631
208641 Cr. Service Tax SHE Paid A/c Upto 208651
208301 Cr. PLA BED A/c Upto 208311
208361 Cr. PLA ECS A/c Upto 208371
208381 Cr. PLA SHE A/c Upto 208391
37 Inward Excise Invoice Posting - Asset Receipt 208101 Dr. CENVAT Input BED RG23C A/c Upto 208111
208161 Dr. CENVAT Input ECS RG23C A/c Upto 208171
208181 Dr. CENVAT Input SHE RG23C A/c Upto 208191
208201 Dr. CENVAT Hold RG23C A/c Upto 208211
208640 Cr. CENVAT Input Clearing A/c
38 Outward Excise Invoice Posting - Asset Sale 208440 Dr. CENVAT Output Clearing A/c
106201 Cr. Excise BED Payable A/c Upto 106211
106221 Cr. Excise ECS Payable A/c Upto 106231
106241 Cr. Excise SHE Payable A/c Upto 106251
39 Raising of Sales Invoices - for Asset VF01 203000 Dr. Customer A/c Upto 203004
500100 Cr. Clearing Account - Sale of Assets
208440 Cr. CENVAT Output Clearing A/c
208440 Cr. CENVAT Output Clearing A/c
208440 Cr. CENVAT Output Clearing A/c
Other Transactions
40 Advance Payament to Vendors F-48 205912 Dr. Vendor A/c (Advance Payment Vend)
103502 Cr. Bank A/c
41 Advance Receipt from Customers F-29 103501 Dr. Bank A/c
106901 Cr. Customer A/c (Adv Pmt frm Customer) For foreign Vendors 106902
BRS Transactions
42 Outgoing Checks FF67 103502 Dr. Outgoing checks A/c
103500 Cr. Main Bank A/c
43 Incoming Checks FF67 103500 Dr. Main Bank A/c
103501 Cr. Incoming A/c
44 Direct Deposit in Bank FF67 103500 Dr. Main Bank A/c
103503 Cr. BRS A/c
45 Bank Charges FF67 407007 Dr. Bank Charges A/c
103500 Cr. Main Bank A/c
46 Interest Received FF67 103500 Dr. Main Bank A/c
103503 Cr. BRS A/c
Other Inventory Transactions
47 Stock Transfer from Plant to Plant MIGO 202000 Dr. Inventory A/c ( Receiving Plant) Upto 202029
202000 Cr. Inventory A/c ( Sending Plant) Upto 202029
402200 Dr/Cr Price Difference A/c (Due to any difference between the standard
costs between the two locations)
48 Revaluation of Stock MR21 202000 Dr/Cr Inventory A/c Upto 202029
401028 Dr/Cr Gain/Loss from Revaluation A/c
49 Physical verification / Shortages and excesses MI07 202000 Dr/Cr Inventory A/c Upto 202029
401018 Dr/Cr Inventory Difference A/c
50 Goods issue for Sampling MIGO Mvt 333 401000 Dr. Material Consumption A/c Upto 401006
202000 Cr. Inventory A/c Upto 202029
51 Goods issue for Scrapping MIGO Mvt 551 401022 Dr. Scrap Loss A/c
202000 Cr. Inventory A/c Upto 202029
52 Goods issue for Scrapping through Quality Inspection MIGO Mvt 551 401022 Dr. Scrap Loss A/c Needs to assign Cost Center
202000 Cr. Inventory A/c
53 Goods issue to Cost Center MIGO Mvt 201 401000 Dr. Material Consumption A/c Upto 401006
202000 Cr. Inventory A/c Upto 202029
Asset Transactions
54 Asset Receipt MIGO Mvt 101 410045 Dr. Capital Expenditure A/c For asset procurement all asset materials to be
106608 Cr. GR/IR Clearing A/c created under Valuation class 9100 only.
55 Settlement of Internal Order KO88 500012 Dr Capital Work In Progress A/c
( First level settlement of Internal Order ) 410045 Cr. Capital Expenditure A/c
56 Settlement of Internal Order KO88 500000 Dr Asset A/c Upto 500009 based on Asset Class
( First level settlement of Internal Order ) 500012 Cr Capital Work In Progress A/c
57 Depreciation Posting AFAB 408000 Dr. Depreciation A/c Upto 408012
550000 Cr. Accumulate Depreciation A/c Upto 550008
58 Asset transfer Plant to Plant ABUMN 500000 Dr Asset A/c Upto 500009 based on Asset Class
500000 Dr Asset A/c Upto 500009 based on Asset Class
Here Cost Center/ Profit Center / Plant will be
changed
59 Retairement of Asset ABAON 500000 Cr. Asset A/c Upto 500009
550000 Dr. Accumulate Deprecition A/c Upto 550008
500100 Dr. Clearing Account - Sale of Assets
405032 Dr/Cr Profit / Loss on Sale of Asset
60 A/c Entry at the time of Sale document VF01 203000 Dr. Customer A/c Upto 203004
500100 Cr. Clearing Account - Sale of Assets
208440 Cr. CENVAT Output Clearing A/c
208440 Cr. CENVAT Output Clearing A/c
208440 Cr. CENVAT Output Clearing A/c
In Rubamin there is no direct asset procurement. It is routed through internal orders only

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